PGIM Balanced Advantage Fund Aug 2025 728x90

Historical Mutual Fund NAV of Nippon India Nifty 500 Low Volatility 50 Index Fund Reg Plan Gr

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NAV Date NAV (Rs)
21-08-2025 10.631
20-08-2025 10.6104
19-08-2025 10.5714
18-08-2025 10.5163
14-08-2025 10.2874
13-08-2025 10.2844
12-08-2025 10.1765
11-08-2025 10.1998
08-08-2025 10.1421
07-08-2025 10.2209
06-08-2025 10.1813
05-08-2025 10.2733
04-08-2025 10.2756
01-08-2025 10.192
31-07-2025 10.3109
30-07-2025 10.3365
29-07-2025 10.3254
28-07-2025 10.2775
25-07-2025 10.3498
24-07-2025 10.4308
23-07-2025 10.4901
22-07-2025 10.4407
21-07-2025 10.4691
18-07-2025 10.4595
17-07-2025 10.5136
16-07-2025 10.5398
15-07-2025 10.5335
14-07-2025 10.4584
11-07-2025 10.4753
10-07-2025 10.5571
09-07-2025 10.6114
08-07-2025 10.5945
07-07-2025 10.5891
04-07-2025 10.5733
03-07-2025 10.547
02-07-2025 10.5541
01-07-2025 10.5918
30-06-2025 10.5694
27-06-2025 10.5773
26-06-2025 10.5641
25-06-2025 10.5054
24-06-2025 10.4225
23-06-2025 10.3546
20-06-2025 10.3744
19-06-2025 10.3198
18-06-2025 10.3586
17-06-2025 10.3709
16-06-2025 10.4293
13-06-2025 10.349
12-06-2025 10.3884
11-06-2025 10.4505
10-06-2025 10.4535
09-06-2025 10.4433
06-06-2025 10.3472
05-06-2025 10.202
04-06-2025 10.1982
03-06-2025 10.1823
02-06-2025 10.2409
30-05-2025 10.261
29-05-2025 10.3029
28-05-2025 10.2978
27-05-2025 10.322
26-05-2025 10.3596
23-05-2025 10.3138
22-05-2025 10.2254
21-05-2025 10.2935
20-05-2025 10.2285
19-05-2025 10.3839
16-05-2025 10.3508
15-05-2025 10.3387
14-05-2025 10.2138
13-05-2025 10.1716
12-05-2025 10.2009
09-05-2025 9.8638
08-05-2025 9.8886

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